Market Risk Manager (Derivative Risk Management) - Stationed in China

Dah Sing Financial Group
Hong Kong, Hong Kong
May 23, 2019
May 24, 2019
Job Function
Risk Management
Industry Sector
Finance - General
Employment Type
Full Time
In this role, you will station in China and responsible for Derivative Risk Management under Risk Management Department of Dah Sing Bank (China).

Main Responsibilities:
  • Be responsible for the application of Derivative License
  • Establish the management framework for Market risk or Treasury risk of the Bank, set up Market Risk scenario analysis and limit
  • Support Risk Department in monitoring and managing Market or Treasury risk of the Bank
  • Perform valuation of financial products, prepar risk management reports, monitor trading activities, perform risk analysis and model verification
  • Liaise with other units internally and externally on all treasury-related issues

To meet the challenge, you should have the following qualifications and attributes:
  • Degree holder in Risk Management, Finance, Business Administration, Accounting or related areas; CFA or FRM holder has priorities.
  • Minimum of 5 years of relevant experience in market or treasury risk management
  • Profound knowledge on banking, treasury and derivative products
  • Familiar with financial system operations such as Comstar, Kondor+, Bloomberg, Fenics, OPICS, etc
  • Hands-on IT and programming experience with MS Access, VBA & SQL

Please note that only shortlisted candidates will be notified.

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